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Interest and similar expenses (Tables)
12 Months Ended
Dec. 31, 2025
Notes and other explanatory information [abstract]  
Schedule of breakdown interest and similar charges accrued
     
Thousand of Reais 2025 2024 2023
       
Deposits from credit institutions 6,899,809 8,905,425 9,828,381
Customer deposits 53,594,440 58,469,742 48,543,885
Marketable debt securities and subordinated liabilities:      
Marketable debt securities (note 18) 3,839,689 3,778,418 4,998,766
Debt Instruments Eligible to Compose Capital (note 19) 3,683,973 2,523,206 1,925,772
Pension Plans (note 21) 133,070 241,133 189,138
Other interest (1) 36,709,340 6,586,994 15,912,731
Total 104,860,321 80,504,918 81,398,673
(1) It is mainly composed of Interest Expenses from Repurchase Agreements and Expenses from Financial Bills and Other Private Securities.